Definition Type: Element
Name: executionPeriodDates
Namespace: http://www.fpml.org/FpML-5/pretrade
Type: nsC:FxFlexibleForwardExecutionPeriod
Containing Schema: fpml-fx-5-10.xsd
MinOccurs (1)
MaxOccurs (1)
Abstract
Documentation:
The period during which the client has the right to execute a transaction, on any business day defined by reference to the specified business centers, subject to the constraints of the minimum execution amount and aggregate total notional amount. * Period dates are inclusive i.e. the expiry date is the final date on which execution may occur.
Collapse XSD Schema Diagram:
Drilldown into businessCenters in schema fpml-fx-5-10_xsd1 Drilldown into tenorPeriod in schema fpml-fx-5-10_xsd1 Drilldown into expiryDate in schema fpml-fx-5-10_xsd1 Drilldown into startDate in schema fpml-fx-5-10_xsd1 Drilldown into tenorPeriod in schema fpml-fx-5-10_xsd1 Drilldown into id in schema fpml-fx-5-10_xsd1 Drilldown into FxFlexibleForwardExecutionPeriod in schema fpml-fx-5-10_xsd1XSD Diagram of executionPeriodDates in schema fpml-fx-5-10_xsd1 (Financial products Markup Language (FpML®))
Collapse XSD Schema Code:
<xsd:element name="executionPeriodDates" type="FxFlexibleForwardExecutionPeriod">
    <xsd:annotation>
        <xsd:documentation xml:lang="en">The period during which the client has the right to execute a transaction, on any business day defined by reference to the specified business centers, subject to the constraints of the minimum execution amount and aggregate total notional amount. * Period dates are inclusive i.e. the expiry date is the final date on which execution may occur.</xsd:documentation>
    </xsd:annotation>
</xsd:element>
Collapse Child Elements:
Name Type Min Occurs Max Occurs
tenorPeriod nsC:tenorPeriod (1) (1)
startDate nsC:startDate 0 (1)
expiryDate nsC:expiryDate (1) (1)
tenorPeriod nsC:tenorPeriod 0 (1)
businessCenters nsC:businessCenters 0 (1)
Collapse Child Attributes:
Name Type Default Value Use
id nsC:id Required
Collapse Derivation Tree: